Recent Annual Filings for FCBC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,261,216,000 $146,142,000 $80,448,000 $51,384,000 $57,739,000 $-60,615,000 $261,034,000
2023 $3,268,545,000 $137,165,000 $75,191,000 $52,788,000 $61,828,000 $-404,916,000 $-54,426,000
2022 $3,135,572,000 $114,319,000 $54,162,000 $32,489,000 $59,024,000 $-28,838,000 $-506,593,000
2021 $3,194,519,000 $105,310,000 $38,782,000 $51,545,000 $48,215,000 $137,313,000 $220,878,000
2020 $3,011,136,000 $114,036,000 $67,924,000 $35,509,000 $45,844,000 $175,910,000 $239,552,000
2019 $2,798,847,000 $94,968,000 $45,172,000 $38,725,000 $56,655,000 $-87,896,000 $140,136,000
2018 $2,244,374,000 $98,294,000 $53,172,000 $35,751,000 $49,499,000 $-179,975,000 $-81,078,000
2017 $2,388,460,000 $95,308,000 $53,195,000 $22,900,000 $39,009,000 $-22,522,000 $81,644,000